Paddy Power Betfair plc Director/PDMR Shareholding (9979N)
04 2월 2016 - 1:30AM
UK Regulatory
TIDMPPB
RNS Number : 9979N
Paddy Power Betfair plc
03 February 2016
Notification of Transactions of (1) Persons Discharging
Managerial Responsibility and (2) Persons closely associated with
Persons Discharging Managerial Responsibility
This form is intended for use by an issuer making a notification
required by Rules 7.2 and 7.3 of the Central Bank of Ireland's
Market Abuse Rules in relation to a person falling within either of
the above categories of individual. These categories are defined in
Regulation 12 (8) of the Market Abuse (Directive 2003/6/EC)
Regulations 2005 and are detailed as part of this form.
All relevant boxes should be completed in block capital
letters.
Name of the Issuer
Name of person discharging
managerial responsibilities
PADDY POWER BETFAIR
1 PLC 2 BREON CORCORAN (DIRECTOR)
--- ------------------------------ --- ---------------------------------------
Indicate whether the notification
State whether notification is in respect of a holding
relates to a person of the person referred
closely associated to in 2 or 3 above or
with a person discharging in respect of a non-beneficial
managerial responsibilities interest
named in 2 and identify
the connected person NOTIFICATION IS IN RESPECT
OF THE PERSON NAMED AT
3 N/A 4 2 ABOVE
--- ------------------------------ --- ---------------------------------------
Description of shares Name of registered shareholder(s)
or derivatives or other and, if more than one,
financial instruments number of shares or derivatives
linked to them or other financial instruments
linked to them, held by
each shareholder
ORDINARY SHARES OF (i) BBHISL NOMINEES LTD
5 EUR0.09 EACH 6 (ii) N/A
--- ------------------------------ --- ---------------------------------------
State the nature of
the transaction
(i) ISSUE OF PADDY
POWER BETFAIR PLC SHARES
IN EXCHANGE FOR BETFAIR
GROUP PLC SHARES
(ii) GRANT OF REPLACEMENT
OPTIONS OVER PADDY Number of shares, derivatives
POWER BETFAIR PLC SHARES or other financial instruments
linked to them acquired
UPON COMPLETION OF
MERGER BETWEEN PADDY (i) 145,787 ORDINARY SHARES
POWER PLC AND BETFAIR
7 GROUP PLC 8 (ii) N/A
--- ------------------------------ --- ---------------------------------------
Price per share or derivative
or other financial instrument
linked to them or value
of transaction
(i) EXCHANGE OF SHARES
Number of shares, derivatives IN BETFAIR GROUP PLC AT
or other financial EXCHANGE RATIO OF 0.4254
instruments linked PADDY POWER BETFAIR PLC
to them disposed of SHARES FOR EACH BETFAIR
GROUP PLC SHARE
9 N/A 10 (ii) N/A
--- ------------------------------ --- ---------------------------------------
Date and place of transaction Date issuer informed of
transaction
DUBLIN, 2 FEBRUARY
11 2016 12 2 FEBRUARY 2016
--- ------------------------------ --- ---------------------------------------
Name of contact and telephone
number for queries
Any additional information
PRITTI PATEL
13 N/A 14 00 44 (0) 208 834 6886
--- ------------------------------ --- ---------------------------------------
Person authorised on behalf of the issuer responsible
for making the notification:
Pritti Patel, Paddy Power Betfair plc
Date of notification: 3 February 2016
--- ----------------------------------------------------------------------------
Information required under Irish Stock Exchange Listing Rule
6.10
The following additional information is required to be disclosed
under ISE Listing Rule 6.10 in respect of interests in securities
of a director or secretary or their connected persons. An issuer is
not being required to submit the information below to the Central
Bank in respect of any PDMR who is also a
director/secretary/connected persons.
State whether the notification
relates to a single
Name of director or transaction being notified
secretary (if not in accordance with the
required to be stated Market Abuse Rules and
in box 2) ISE LR 6.10
15 N/A 16 YES
--- -------------------------- --- -------------------------------
Description of class Percentage of issued class
of share acquired (treasury shares
of that class should not
be taken into account
when calculating percentage)
ORDINARY SHARES OF
17 EUR0.09 EACH 18 0.174%
--- -------------------------- --- -------------------------------
Total holding following
notification and total
Percentage of issued percentage holding following
class disposed (treasury notification (any treasury
shares of that class shares should not be taken
should not be taken into account when calculating
into account when percentage)
calculating percentage)
183,497 ORDINARY SHARES
19 N/A 20 (0.219%)
--- -------------------------- --- -------------------------------
If a person whose interests are required to be disclosed under
ISE Listing Rule 6.10 has been granted options by the issuer,
please complete the following boxes:
21 Date of grant
2 FEBRUARY 2016
--- --------------------------------------------------------------------------------
22 Period during which or date on which it can be
exercised
NAME OF PLAN EXERCISE NUMBER OF EXERCISE
PRICE PADDY POWER DATE /
(PENCE) BETFAIR SHARES EXERCISE
IN RESPECT PERIOD
OF WHICH OPTIONS
GRANTED
--------------------------- --------- ------------------ --------------
BETFAIR GROUP PLC
DEFERRED SHARE INCENTIVE
PLAN AS AMENDED BY
THE DEED OF GRANT
DATED 2 FEBRUARY 02/02/2016
2016 0.00235 7,933 - 04/07/2023
--------------------------- --------- ------------------ --------------
BETFAIR GROUP PLC
DEFERRED SHARE INCENTIVE
PLAN AS AMENDED BY
THE DEED OF GRANT
DATED 2 FEBRUARY 02/02/2016
2016 0.00235 10,299 - 26/06/2024
--------------------------- --------- ------------------ --------------
BETFAIR GROUP PLC
DEFERRED SHARE INCENTIVE
PLAN AS AMENDED BY
THE DEED OF GRANT
DATED 2 FEBRUARY 02/02/2016
2016 0.00223 5,812 - 30/06/2025
--------------------------- --------- ------------------ --------------
JOINING AWARD GRANTED
PURSUANT TO AN OPTION
AGREEMENT DATED 9
JANUARY 2015 AS AMENDED
BY THE DEED OF GRANT
DATED 2 FEBRUARY 02/02/2016
2016 0 212,700 - 31/07/2022
--------------------------- --------- ------------------ --------------
BETFAIR GROUP PLC
2009 LONG TERM INCENTIVE
PLAN AS AMENDED BY
THE DEED OF GRANT
DATED 2 FEBRUARY 23/07/2016
2016 0.00235 77,256 - 22/07/2023
--------------------------- --------- ------------------ --------------
BETFAIR GROUP PLC
2009 LONG TERM INCENTIVE
PLAN AS AMENDED BY
THE DEED OF GRANT
DATED 2 FEBRUARY 27/06/2017
2016 0.00235 70,078 - 26/06/2024
February 03, 2016 11:30 ET (16:30 GMT)
--------------------------- --------- ------------------ --------------
BETFAIR GROUP PLC
2009 LONG TERM INCENTIVE
PLAN AS AMENDED BY
THE DEED OF GRANT
DATED 2 FEBRUARY 01/07/2018
2016 0.00223 29,127 - 30/06/2025
--------------------------- --------- ------------------ --------------
BETFAIR GROUP SHARESAVE 1919.76 468 01/11/2016
PLAN AS AMENDED BY - 30/04/2017
THE DEED OF GRANT
DATED 2 FEBRUARY
2016
--------------------------- --------- ------------------ --------------
BETFAIR GROUP SHARESAVE
PLAN AS AMENDED BY
THE DEED OF GRANT
DATED 2 FEBRUARY 01/12/2017
2016 2134.69 421 - 31/05/2018
--------------------------- --------- ------------------ --------------
--- --------------------------------------------------------------------------------
Total amount paid Description of shares
(if any) for grant involved (class and number)
of the option 414,094 OPTIONS OVER ORDINARY
23 N/A 24 SHARES OF EUR0.09 EACH
--- --------------------------------- ---- ---------------------------------------
Exercise price (if
fixed at time of grant)
or indication that
the price is to be Total number of shares
fixed at the time over which options are
of exercise held following notification
25 SEE BOX 22 26 414,094
--- --------------------------------- ---- ---------------------------------------
Name and signature of duly designated officer of
issuer responsible for making notification
Pritti Patel, Paddy Power Betfair plc
Date of notification: 3 February 2016
-------------------------------------------------------------------------------------
The duly designated officer of the issuer responsible for making
this notification acknowledges and confirms that he/she is aware
that the information as has been provided in response to the
questions 15 to 26 above is not information which has been required
by or which has been requested by the Central Bank, and is
information which is required to be provided to the Irish Stock
Exchange only.
This information is provided by RNS
The company news service from the London Stock Exchange
END
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February 03, 2016 11:30 ET (16:30 GMT)
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